The impact of bank credit risk on investor returns: An applied study

Authors

  • Ibrahim R. Hani Al-Mustaqbal University, Babylon, Iraq
  • Ali J. Ubaid University of Hilla, Babylon, Iraq
  • Khalid H. Al-Marzouq Al-Mustaqbal University, Babylon, Iraq

DOI:

https://doi.org/10.56967/ejfb2025640

Keywords:

credit risk, investment returns

Abstract

This research aims to analyze the impact of bank Credit risk as an independent variable on the returns of investors represented by the free cash flow available to the owner of Common stocker as a dependent variable. To achieve this goal, we used a sample of (20) Iraqi Commercial bank for the period from 2014 - 2020. using quantitative risk metrics, the study found correlations and adverse influence between two of dependent variables and positive correlations and effect with the other variables.

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Published

2025-07-27

How to Cite

Hani, I., Ubaid, A., & Al-Marzouq , K. (2025). The impact of bank credit risk on investor returns: An applied study. Enterprenuership Journal For Finance and Bussiness, 6(special (1), 13–21. https://doi.org/10.56967/ejfb2025640

Issue

Section

Research articles

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